INVESTMENT RISK AND PERFORMANCE jobs in GREATER LONDON, United Kingdom #4

and product control function; core activities are measuring and analysing market risk and trading performance across a variety...ING is a family friendly organisation offering a flexible, hybrid working pattern. The Trading Risk Management Team...

ING

and product control function; core activities are measuring and analysing market risk and trading performance across a variety...ING is a family friendly organisation offering a flexible, hybrid working pattern. The Trading Risk Management Team...

ING

Quant Market Risk Manager Hybrid 4 days per week £130,000 plus 30% Quant Capital is urgently looking for a Quant... Market Risk Manager to join our high profile client. Our client is a well-known major global exchange...

Quant Capital

apply across a range of investments. An understanding of key investment/commercial risk factors that need to be assessed in reviewing private debt...Associate - Credit Risk, Structured & Private Corporate Debt This is a great job for someone who has an inquisitive...

Aviva

written credit risk opinion (investment risk and rating oversight) on new private debt assets proposed for approval by the...Director - Credit Risk, Structured & Private Corporate Debt This is a great job for someone who has an inquisitive...

Aviva

of investment, inherent risk, complexity of change and other risk factors. Execute Risk Control coverage strategy, ensure...The Risk organisation's Chief Administrative Officer (CAO) is looking for a Risk Execution Lead to manage the...

Citigroup

Equities E-Trading Risk and Control Manager Citigroup Global Markets Limited is a global investment bank... tech teams and will report directly into the Head of Equities EMEA Risk and Controls. What you'll do: Oversee and drive...

Citigroup

: 3 + years of experience d in Middle Office/Product Control/Risk Management within energy trading or investment banking... environment, where innovative thinking, collaboration and efficient execution are highly valued. Our high-performance culture...

World Fuel Services

. Use risk data to inform investment planning. Assist with the identification and recording of appropriate management responses..., infrastructure, and natural resources sectors. It’s how we’ve made the difference for 75 years. Transforming performance...

Turner & Townsend

, infrastructure, and natural resources sectors. It’s how we’ve made the difference for 75 years. Transforming performance... for a , and world. Job Description We have a range of exciting opportunities for QRA capable Risk Managers (of all levels...

Turner & Townsend

/opportunity. Use risk data to inform investment planning. Assist with the identification and recording of appropriate management..., infrastructure, and natural resources sectors. It’s how we’ve made the difference for 75 years. Transforming performance...

Turner & Townsend

Our client, a leading investment bank is looking for an Operational Risk Analyst to join their team based in London... investment bank is looking for an Operational Risk Analyst to join their team based... May 01, 2024 Ref: 37286...

Bruin Financial

Quant Market Risk Manager Hybrid 4 days per week £130,000 plus 30% Quant Capital is urgently looking for a Quant... Market Risk Manager to join our high profile client. Our client is a well-known major global exchange...

Quant Capital

Commodities Risk Senior Engineer – VP (Hybrid) Who we are. The Commodities business at CITI has grown significantly.... Our state-of-the-art investment strategies help optimize our clients’ working capital and enable them to raise strategic...

Citigroup

Job Description: Job Title: Global Strategic Analytics (GSA) Credit Risk Change - Programme Manager Location London.... You will be joining the GSA Credit Risk Change Team. The team is responsible for driving and facilitating regulatory compliance, strategic...

Deutsche Bank

/ Key Skills Working Experience Experience in Market Risk Management in investment bank, CCP or similar financial...The ForexClear Business Risk team sits within the 1st line Risk team in ForexClear. The team is responsible for 1st...

TORA

Corporate & Investment Banking (CIB) Trading covers valuation and risk-management models used within the Corporate & Investment... of implementation, and suitability and comprehensiveness of performance metrics and risk measures Design and implement experiments...

JPMorgan Chase